Name Date published Author
Services Policy Reform in the People’s Republic of China: Before and After the Global Financial Crisis August 2011
Sequencing of Capital Account Liberalization – Japan’s experiences and their implications to China January 2006
Securitized Products, Financial Regulation, and Systemic Risk January 2010
Risk-return Efficiency, Financial Distress Risk, and Bank Financial Strength Ratings January 2010
Risk-On/Risk-Off, Capital Flows, Leverage, and Safe Assets January 2013
Revisiting the Internationalization of the Yuan July 2012
Reverse Mortgages as Retirement Financing Instrument: An Option for “Asset-rich and Cash-poor” Singaporeans January 2005
Rethinking Capital Flows for Emerging East Asia June 2012
Response of Stock Markets to Monetary Policy: An Asian Stock Market Perspective September 2014
Report on “The Committee on Yen Risk-free-rate Model Estimation” January 2007
Regulatory Structure for Financial Stability and Development January 2010
Regulating Systemic Risk January 2010
Regional Settlement Infrastructure and Currency Internationalization: The Case of Asia and the Renminbi February 2014
Regional Monitoring of Capital Flows and Coordination of Financial Regulation: Stakes and Options for Asia January 2010
Regional Monetary Cooperation in Latin America August 2012
Regional Financial Regulation in Asia February 2014
Regional Financial Arrangements and the International Monetary Fund November 2012
Regional and Global Monetary Cooperation February 2012
Reforming Japan’s Capital Markets January 2005
Reforming India’s Fiscal Transfer System: Resolving Vertical and Horizontal Imbalances January 2008